
Fondo: CAIXABANK SMALL & MID CAPS ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
09/03/2022 | 108,65908654 euros |
08/03/2022 | 105,40363572 euros |
07/03/2022 | 103,78568318 euros |
06/03/2022 | 103,70967199 euros |
05/03/2022 | 103,70967199 euros |
04/03/2022 | 103,70967199 euros |
03/03/2022 | 107,43204871 euros |
02/03/2022 | 110,3139588 euros |
01/03/2022 | 109,89263962 euros |
28/02/2022 | 112,17297541 euros |
27/02/2022 | 111,56705762 euros |
26/02/2022 | 111,56705762 euros |
25/02/2022 | 111,56705762 euros |
24/02/2022 | 108,58741533 euros |
23/02/2022 | 108,58741533 euros |
22/02/2022 | 108,58741533 euros |
21/02/2022 | 108,58741533 euros |
20/02/2022 | 108,58741533 euros |
19/02/2022 | 108,58741533 euros |
18/02/2022 | 108,58741533 euros |
17/02/2022 | 108,58741533 euros |
16/02/2022 | 108,58741533 euros |
15/02/2022 | 108,58741533 euros |
14/02/2022 | 108,58741533 euros |
13/02/2022 | 108,58741533 euros |
12/02/2022 | 108,58741533 euros |
11/02/2022 | 108,58741533 euros |
10/02/2022 | 108,58741533 euros |
09/02/2022 | 108,58741533 euros |
08/02/2022 | 108,58741533 euros |
07/02/2022 | 108,58741533 euros |
06/02/2022 | 108,58741533 euros |
05/02/2022 | 108,58741533 euros |
04/02/2022 | 108,58741533 euros |
03/02/2022 | 108,58741533 euros |
02/02/2022 | 108,58741533 euros |
01/02/2022 | 108,58741533 euros |
31/01/2022 | 108,58741533 euros |
30/01/2022 | 108,58741533 euros |
29/01/2022 | 108,58741533 euros |
28/01/2022 | 108,58741533 euros |
27/01/2022 | 108,58741533 euros |
26/01/2022 | 108,58741533 euros |
25/01/2022 | 108,58741533 euros |
24/01/2022 | 108,58741533 euros |
23/01/2022 | 108,58741533 euros |
22/01/2022 | 108,58741533 euros |
21/01/2022 | 108,58741533 euros |
20/01/2022 | 108,58741533 euros |
19/01/2022 | 108,58741533 euros |